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Market Risk Manager Jobs in Orem, UT (NOW HIRING)

Calypso Developer

Midvale, UT · On-site

$55 - $60/hr

Collaborate with business users, quantitative analysts, risk management, operations, architects ... Market Risk, and Credit Risk. * Extensive experience with SQL, relational databases, data modeling ...

Procurement Manager

Sandy, UT · On-site

$110 - $165/hr

... market intelligence to create long-term business value. The position serves as a key partner to ... Build and manage strategic supplier relationships while overseeing performance, risk, and ...

... market intelligence to create long-term business value. The position serves as a key partner to ... Build and manage strategic supplier relationships while overseeing performance, risk, and ...

... market intelligence to create long-term business value. The position serves as a key partner to ... Build and manage strategic supplier relationships while overseeing performance, risk, and ...

... market intelligence to create long-term business value. The position serves as a key partner to ... Build and manage strategic supplier relationships while overseeing performance, risk, and ...

Showing results 21-40

Market Risk Manager information

See Orem, UT salary details

$44.8K

$97K

$147.8K

How much do market risk manager jobs pay per year?

As of Sep 4, 2026, the average yearly pay for market risk manager in Orem, UT is $96,983.00, according to ZipRecruiter salary data. Most workers in this role earn between $78,200.00 and $112,100.00 per year, depending on experience, location, and employer.

What does a market risk manager do?

A Market Risk Manager is responsible for identifying, assessing, and mitigating risks that arise from fluctuations in market variables such as interest rates, foreign exchange rates, and equity prices. They analyze trading portfolios, conduct stress tests, and develop risk management strategies to protect their organization from potential losses. Additionally, Market Risk Managers work closely with traders, analysts, and senior management to ensure that market risks are understood and maintained within acceptable levels.

How does a market risk manager typically collaborate with other departments within a financial institution?

A Market Risk Manager works closely with various departments such as trading, treasury, and compliance to monitor and mitigate potential risks in the institution’s portfolio. They often consult with traders to understand new products and exposures, coordinate with IT teams to enhance risk management systems, and report findings to senior management and regulatory bodies. Regular communication and collaboration are essential to ensure all teams are aligned in managing risk effectively and responding promptly to market developments.

What are the key skills and qualifications needed to thrive as a market risk manager, and why are they important?

To thrive as a Market Risk Manager, you need strong quantitative analysis skills, a background in finance or economics, and often an advanced degree such as an MBA or CFA. Familiarity with risk management software (like Value-at-Risk models), statistical tools, and financial systems such as Bloomberg Terminal is typically required. Excellent problem-solving, communication, and decision-making skills set standout candidates apart in this highly analytical role. These capabilities are crucial for accurately assessing market risks, supporting sound investment decisions, and ensuring regulatory compliance in dynamic financial environments.

What is the difference between Market Risk Manager vs Credit Risk Analyst?

AspectMarket Risk ManagerCredit Risk Analyst
Required CredentialsBachelor's degree, often CFA or FRMBachelor's degree, often CFA or FRM
Work EnvironmentFinancial institutions, trading floors, risk departmentsBanks, lending institutions, credit departments
Employer & Industry UsageUsed in investment banks, asset managers, hedge fundsUsed in commercial banks, credit agencies, lending firms
Common Search & ComparisonOften compared for risk management roles in financeCompared for credit analysis roles

The Market Risk Manager focuses on identifying and managing risks related to market fluctuations, such as interest rates and stock prices. In contrast, the Credit Risk Analyst assesses the creditworthiness of borrowers to mitigate default risk. Both roles require similar credentials and are vital in financial institutions, but they specialize in different risk areas.

Do market risk managers make good money?

Market risk managers typically earn competitive salaries that vary based on experience, location, and industry. According to industry reports, median salaries range from $80,000 to over $150,000 annually, with higher earnings possible for those with advanced certifications like FRM or CFA and extensive experience. Bonuses and benefits can also significantly increase total compensation in this role.

What are popular job titles related to Market Risk Manager jobs in Orem, UT?

For Market Risk Manager jobs in Orem, UT, the most frequently searched job titles are:

Contractor

Re-posted 6 hours ago


Job description

A leading Consulting Firm is seeking a Calypso Developer for a 6+ month contact to hire role.
Are you passionate about building high-performance trading platforms that power today's global financial markets. Do you enjoy solving complex technical challenges while developing scalable, cloud-native applications that support mission-critical trading operations?
The client is seeking an experienced Calypso Developer to join our team. In this role, you'll design, develop, customize, and integrate enterprise trading and risk management solutions built on the Calypso platform, supporting front-, middle-, and back-office operations across multiple asset classes.
Working closely with business stakeholders, solution architects, quantitative analysts, infrastructure engineers, and market utility providers, you'll develop innovative solutions that modernize trading platforms, streamline business processes, strengthen operational resilience, and support the evolving needs of leading global financial institutions.
This is an outstanding opportunity to work with modern technologies including Calypso, Java, Spring Boot, AWS, microservices, DevSecOps, cloud-native architectures, and enterprise financial integrations, while contributing to large-scale digital transformation initiatives within the Capital Markets industry.
Location: This position is based onsite at a client location in the Salt Lake City, UT area.
Your future duties and responsibilities
How you'll make an impact
As a Calypso Developer, you'll play a key role in designing and delivering scalable, secure, and high-performing trading solutions that support mission-critical Capital Markets operations.
In this role, you will:
Design, develop, customize, and support Calypso applications, workflows, extensions, and integrations supporting multiple asset classes, including:
Foreign Exchange (FX)
FX Options
Interest Rate Products
Commodities
Credit Derivatives
Exchange-Traded Derivatives
Develop enterprise applications using Java, Spring Framework, Spring Boot, REST APIs, microservices, JBoss (or equivalent application servers), and messaging technologies while following secure software engineering best practices.
Design, build, and maintain integrations between Calypso and enterprise applications, market utilities, and third-party platforms, including:
DTCC SDR
MarkitWire
Bloomberg TOMS
SEF platforms
AcadiaSoft
TriResolve
WebICE
SWIFT
General Ledger systems
FedWire
ACH
Develop cloud-native solutions utilizing AWS, containerization technologies, Infrastructure as Code (IaC), CI/CD pipelines, and DevSecOps practices.
Design, optimize, and maintain SQL queries, database structures, ETL processes, and enterprise data integrations supporting trading operations, regulatory reporting, risk management, and analytics.
Partner with business users, quantitative analysts, risk management teams, operations, solution architects, and development teams to translate business requirements into scalable technical solutions.
Support production releases, troubleshoot complex application issues, perform root cause analysis, and continuously improve platform performance, stability, and resiliency.
Optimize Calypso application performance through tuning, monitoring, and continuous improvement initiatives.
Participate in solution architecture reviews, technical design sessions, code reviews, and modernization initiatives while mentoring junior developers and promoting engineering best practices.
Contribute to CGI's Capital Markets technology practice by identifying opportunities for automation, innovation, cloud modernization, and continuous improvement.
Required qualifications to be successful in this role
What you'll bring
We're seeking an experienced software engineer with deep Capital Markets expertise and a passion for building enterprise-scale trading platforms.
Bachelor's degree in Computer Science, Information Systems, Engineering, or a related technical discipline.
5+ years of enterprise software development experience, including at least 3 years of hands-on Calypso development within Capital Markets environments.
Strong experience customizing and extending the Calypso platform, including workflows, APIs, trade lifecycle processing, back-office operations, and enterprise integrations.
Advanced proficiency with:
Java
Spring Framework / Spring Boot
RESTful APIs
Microservices architecture
JBoss or comparable enterprise application servers
Messaging technologies (JMS, MQ)
Strong understanding of Capital Markets products and trade processing, including:
Foreign Exchange (FX)
FX Options
Interest Rate Products
Commodities
Credit Derivatives
Exchange-Traded Derivatives
Market Risk
Credit Risk
Extensive experience with SQL, relational databases, data modeling, ETL development, and enterprise data integration.
Experience developing cloud-native applications using AWS (preferred) or Azure, including CI/CD pipelines and DevSecOps tools such as Jenkins, Bitbucket, Nexus, Terraform, or similar technologies.
Experience designing secure, scalable, and highly available enterprise applications using modern software engineering and cloud architecture best practices.
Strong analytical, troubleshooting, communication, and stakeholder management skills with experience supporting business-critical production systems.
Experience working within Agile delivery methodologies such as Scrum, Kanban, or SAFe.
Experience integrating with financial messaging standards and payment networks including SWIFT, FedWire, and ACH.
Experience with Wall Street Systems, Nasdaq Spectrum, or other enterprise Capital Markets platforms is considered a strong plus.
Desired Qualifications
Experience with AWS cloud services and container orchestration technologies such as Docker and Kubernetes
Experience implementing event-driven architectures using Kafka or other enterprise messaging platforms
Familiarity with Infrastructure as Code using Terraform or CloudFormation
Experience with observability and monitoring tools such as Splunk, Dynatrace, Grafana, or Prometheus
Financial industry certifications or Calypso platform certifications are a plus
Education:Employment Type: CONTRACTOR